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Derivative Instruments and Hedges (Tables)
9 Months Ended
Sep. 30, 2011
Derivative Instruments and Hedges [Abstract] 
Summary of fair value of forward exchange contracts not designated as hedging instruments
                 
      September 30,       December 31,  
(Amounts in thousands)   2011   2010
 Current derivative assets
  $ 5,181     $ 4,397  
 Noncurrent derivative assets
    -       50  
 Current derivative liabilities
    8,657       2,949  
 Noncurrent derivative liabilities
    1,130       473  
Summary of fair value of interest rate swaps in cash flow hedging relationships
                 
      September 30,       December 31,  
(Amounts in thousands)     2011     2010
 Current derivative assets
  $ 3     $ -  
 Noncurrent derivative assets
    49       608  
 Current derivative liabilities
    1,220       1,232  
 Noncurrent derivative liabilities
    941       3  
Impact of net changes in fair values of forward exchange contracts not designated as hedging instruments
                                 
      Three Months Ended September 30,       Nine Months Ended September 30,  
(Amounts in thousands)   2011   2010   2011   2010
(Loss) gain recognized in income
  $ (9,892 )   $ 18,467     $ 211     $ (7,787 )
Impact of net changes in the fair values of interest rate swaps in cash flow hedging relationships
                                 
      Three Months Ended September 30,       Nine Months Ended September 30,  
(Amounts in thousands)   2011   2010   2011   2010
Loss reclassified from accumulated other comprehensive income into income for settlements, net of tax
  $ (396 )   $ (930 )   $ (1,203 )   $ (3,603 )
Loss recognized in other comprehensive income, net of tax
    (912 )     (588 )     (2,149 )     (1,476 )